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City of Lake Elmo <br />2025 Draft Budgets - September 17 Council Meeting <br />2021 2022 2023 2024 2024 2024 2025 Change from Budget <br />Account Number Description Actual Actual Actual Adopted Q2 YTD Projected Requested Prior Year Notes <br />(excludes any amendments) <br />Total Transfers 210,000$ 102,074$ 266,902$ 167,328$ 83,664$ 167,328$ -$ -100.00% <br />9000 Total Transfers 210,000$ 102,074$ 266,902$ 167,328$ 83,664$ 167,328$ -$ -100.00% <br />9001 Contingency Reserve <br />Contingency Reserve <br />Reserve - - 35,000 - 35,000 85,000 142.86%balancing line / surplus in order to maintain fund balance ratio. <br />Total Contingency Reserve - - 35,000 - 35,000 85,000 142.86% <br />9001 Total Contingency Reserve -$ -$ 35,000$ -$ 35,000 85,000 142.86% <br />General Fund Expenditure Summary 2021 Actual 2022 Actual 2023 Actual 2024 Budget Q2 YTD 2024 Projected 2025 Requested <br />1110 Mayor & Council 54,630$ 53,123$ 56,842$ 66,121$ 26,041$ 66,153$ 71,328$ 7.88% <br />1320 Administration 450,883$ 454,233$ 506,102$ 660,504$ 370,712$ 660,500$ 720,224$ 9.04% <br />1410 Elections 5,112$ 12,556$ 3,646$ 16,658$ 7,341$ 16,658$ 8,315$ -50.08% <br />1450 Communications 44,442$ 22,978$ 50,812$ -$ -$ -$ -$ #DIV/0! <br />1520 Finance 140,811$ 115,100$ 174,557$ 280,813$ 131,409$ 282,383$ 363,363$ 29.40% <br />1910 Planning & Zoning 301,327$ 277,963$ 217,156$ 473,149$ 180,990$ 518,149$ 524,459$ 10.84% <br />1930 Engineering Services 30,000$ 30,975$ 32,855$ 35,000$ 15,500$ 35,000$ 35,000$ 0.00% <br />1940 City Hall 30,013$ 45,996$ 36,687$ -$ -$ -$ -$ #DIV/0! <br />2100 Police 901,120$ 947,044$ 1,048,618$ 1,310,013$ 5,723$ 1,308,259$ 1,401,917$ 7.02% <br />2150 Prosecution 50,212$ 48,141$ 36,949$ 50,000$ 25,268$ 50,000$ 50,000$ 0.00% <br />2220 Fire 725,670$ 893,746$ 1,387,730$ 1,645,493$ 736,986$ 1,587,549$ 1,608,209$ -2.27% <br />2250 Fire Relief 80,470$ 75,000$ -$ -$ -$ -$ -$ #DIV/0! <br />2400 Building Inspection 1,231,520$ 808,520$ 677,312$ 1,114,889$ 390,763$ 1,056,076$ 1,065,583$ -4.42% <br />2500 Emergency Communications 1,514$ 20,501$ 4,311$ 4,500$ 2,028$ 4,500$ 4,500$ 0.00% <br />2700 Animal Control 14,161$ 13,550$ 19,172$ 14,500$ 9,292$ 14,500$ 14,500$ 0.00% <br />3100 Streets 1,488,448$ 1,902,740$ 1,450,333$ 1,812,018$ 902,085$ 1,767,775$ 1,175,752$ -35.11% <br />5200 Parks & Recreation 259,690$ 284,752$ 412,051$ 455,204$ 244,750$ 503,905$ 690,823$ 51.76% <br />9000 Transfers 210,000$ 102,074$ 266,902$ 167,328$ 83,664$ 167,328$ -$ -100.00% <br />9001 Contingency Reserve -$ -$ -$ 35,000$ -$ 35,000$ 85,000$ 142.86% <br />6,020,023$ 6,108,992$ 6,382,036$ 8,141,190$ 3,132,553$ 8,073,735$ 7,818,973$ -3.96% <br />Total General Fund Expenditures:6,020,023$ 6,108,992$ 6,382,036$ 8,141,190$ 3,132,553$ 8,073,735$ 7,818,973$ <br />Total Gen Fund Revs. Over/(Under) Expenditu 771,886$ 1,787,058$ 1,314,025$ (1,940)$ 1,445,419$ 194,252$ -$ <br />601 Water Fund <br />Water Fund Revenues: <br />601-000-0000-36100 Special Assessments 56,024 58,029 2,965 - - - 30,098 #DIV/0! <br />601-000-0000-36101 Delinquent Special Assessments (932) - - - - - #DIV/0! <br />601-000-0000-36102 Special Assessments Penalties & 386 547 1,361 - - - - #DIV/0! <br />601-000-0000-36103 Prepaid Special Assessments - - - - - - #DIV/0! <br />601-000-0000-36210 Interest on Investments (11,572) (66,764) 172,199 32,000 32,000 33,280 4.00%interest allocated at end of year. <br />601-000-0000-37100 Water Sales 1,537,606 1,634,375 1,804,464 1,962,564 212,160 1,962,564 2,021,441 3.00% <br />601-000-0000-37120 Bulk Water 710 - - 33,455 - 33,455 34,000 1.63% <br />601-000-0000-37130 Water Lat Benefit Fee 23,200 12,400 13,200 - 7,000 - - #DIV/0!none planned <br />601-000-0000-37140 Water Access Revenue 1,566,000 685,000 550,000 1,695,000 1,035,000 1,695,000 1,000,000 -41.00%will get from Utility Financial Plan. <br />13